00852nam0 2200253 450 00002208820090127145402.0063115381020090127d1987----km-y0itay50------baengGBy-------001yyMean - variance analysis in porfolio choice and capital marketsHarry M. MarkowitzOxfordBlackwell1987XI, 387 p.24 cmMean - variance analysis in porfolio choice and capital markets47087FinanzaModelli matematici332.619Markowitz,Harry M.070103676ITUNIPARTHENOPE20090127RICAUNIMARC000022088321/1526013NAVA22009Mean - variance analysis in porfolio choice and capital markets47087UNIPARTHENOPE